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Fairfield Financial Advisors, LTD

All holdings · as of Dec 31, 2025

71 positions

CompanyClassValueShares% of portfolio
Walt Disney Co$215.8K1,8970.1%
VANGUARD HEALTH CARE INV$224.4K1,0970.1%
Fortinet Inc$236.6K2,9800.1%
SPDR S&P INTERNATIONAL DIVIDEND ETF$241.7K5,5000.1%
SERVICE CORP INTERNATIONAL$263.2K3,3760.1%
NOVO-NORDISK A S FSPONSORED ADR 1 ADR REPS 1 ORD SHS$308.6K6,0660.1%
ISHARES SELECT DIVIDEND ETF$337.7K2,3930.1%
WILLIAM BLAIR SMALL-MID CAP GROWTH N$389.3K15,8060.1%
COLUMBIA SELIGMAN TECH & INFO A$411.3K2,6250.1%
Vertiv Holdings Co$415.4K2,5640.1%
AMANA INCOME INVESTOR$437.4K6,1800.1%
VANECK SEMICONDUCTOR ETF$442.2K1,2280.1%
SCHWAB GOVERNMENT MONEY INV$446.1K446,0930.1%
SCHWAB US DIVIDEND EQUITY ETF$468.7K17,0860.2%
CONSERVATIVE POOL$490.4K22,8530.2%
VERTEX PHARMACEUTICALS INC / MA$497.8K1,0980.2%
BOSTON SCIENTIFIC CORP$511.6K5,3660.2%
Interactive Brokers Group Inc$521.1K8,1030.2%
SPOTIFY TECHNOLOGY S A F$543.0K9350.2%
NEXTERA ENERGY INC$555.9K6,9250.2%
Tesla Inc$560.4K1,2460.2%
GE Vernova Inc.$568.7K8700.2%
CONESTOGA SMALL CAP INVESTORS$621.6K9,4970.2%
Broadcom Inc.$670.5K1,9370.2%
Palantir Technologies Inc$700.2K3,9390.2%
VANGUARD WELLESLEY INCOME INV$842.6K33,1080.3%
HCA Healthcare, Inc.$851.3K1,8240.3%
ADVANCED MICRO DEVICES INC$893.7K4,1730.3%
TAIWAN SEMICONDUCTOR MANUFACTURING CO LTDTSMADR$980.7K3,2270.3%
ABBOTT LABORATORIES$1.00M8,0000.3%
ANALOG DEVICES INC$1.16M4,2860.4%
FREEPORT-MCMORAN INC$1.18M23,3200.4%
ORACLE CORP$1.21M6,2050.4%
T. ROWE PRICE DIVIDEND GROWTH$1.39M17,0270.5%
3M CO$1.61M10,0270.5%
Arthur J. Gallagher & Co.$1.72M6,6510.6%
AMGEN INC$1.75M5,3350.6%
INTERNATIONAL BUSINESS MACHINES CORP$1.90M6,4110.6%
STATE STRET ENRGY SLECT SEC SPDR ETF$2.00M44,7030.7%
Meta Platforms Inc$2.16M3,2750.7%
HARBOR CAPITAL APPRECIATION INSTL$2.25M19,2900.7%
FIDELITY CONTRAFUND$2.38M98,0940.8%
NVIDIA Corp$2.72M14,5880.9%
DEERE & CO$2.89M6,2150.9%
NRG Energy Inc$2.97M18,6381.0%
Palo Alto Networks Inc$3.26M17,6961.1%
OAKMARK INVESTOR$3.44M19,9691.1%
Intuitive Surgical Inc$3.65M6,4531.2%
STATE STRT INDSTL SLCT SCTR SPDR ETF$3.96M25,5461.3%
MCKESSON CORP$4.05M4,9381.3%
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